Global Portfolio
- Diversified quantitative global macro trading strategy.
- Portfolio launched in April 1991.
- Trades up to 50 regulated futures and liquid currency markets, including fixed income, equity indices, commodities and G-20 currencies.
- Disciplined Risk Management system emphasizing capital preservation.
- Portfolio returns non-correlated to traditional long only indices.
- Investor-focused portfolio structure featuring transparency, favorable liquidity provisions and participation in liquid and regulated trading vehicles.
Past performance is not necessarily indicative of future results.
Alternative investments, including those offered by Hyman Beck & Company, Inc.,
are speculative, involve substantial risk, and are not suitable for all investors.
Alternative investments, including those offered by Hyman Beck & Company, Inc.,
are speculative, involve substantial risk, and are not suitable for all investors.
Hyman Beck & Company | Alternative Investment Management
210 Park Ave, Florham Park, NJ, 07932
Tel: (973) 377-7600 | Fax: (973) 377-8899 | investorrelations@hymanbeck.com
210 Park Ave, Florham Park, NJ, 07932
Tel: (973) 377-7600 | Fax: (973) 377-8899 | investorrelations@hymanbeck.com